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BetaShares Gold Bullion ETF - Currency Hedged (ASX: QAU) - Announcements

Current share price for QAU : $33.580 0.2 (0.59%)+

BetaShares Gold Bullion ETF - Currency Hedged (QAU) is an Exchange Traded Fund - commonly known as an ETF. For more details about how ETFs work, feel free to check out our What is an ETF? overview. Betashares Gold Bullion ETF - Currency Hedged (QAU, formerly Betashares Gold Bullion ETF (A$ Hedged)) is backed by physical gold bullion and aims to track the performance of the price of gold, hedged for currency movements in the AUD/USD exchange rate.

InvestSMART's Custom Portfolios allows you to invest in BetaShares Gold Bullion ETF - Currency Hedged (ASX: QAU). Find out more.

Latest company announcements for BetaShares Gold Bullion ETF - Currency Hedged (QAU)

Market Cap ($m) Headline Release
date/time+
Price at
release+
Current
price+
Gain/Loss View
$1,378 Units on Issue Disclosure - June 2020 6 Jul 2020 3:07PM $17.010 $33.580 risen by 97.41%
$1,378 Update to DRP Issue Price Announcement 3 Jul 2020 9:41AM $16.990 $33.580 risen by 97.65%
$1,378 DRP Issue Price 1 Jul 2020 6:01PM $17.180 $33.580 risen by 95.46%
$1,378 Final Distribution Announcement 30 Jun 2020 7:05PM $17.390 $33.580 risen by 93.10%
$1,378 Estimated Distribution Announcement 29 Jun 2020 7:14PM $17.460 $33.580 risen by 92.33%
$1,378 Distribution Timetable 24 Jun 2020 11:04AM $17.420 $33.580 risen by 92.77%
$1,378 Units on Issue Disclosure - May 2020 4 Jun 2020 11:33AM $16.750 $33.580 risen by 100.48%
$1,378 Units on Issue Disclosure - Apr 2020 6 May 2020 2:48PM $16.900 $33.580 risen by 98.70%
$1,378 Units on Issue Disclosure - Mar 2020 7 Apr 2020 2:51PM $16.460 $33.580 risen by 104.01%
$1,378 Interim Financial Report 11 Mar 2020 7:34PM $16.680 $33.580 risen by 101.32%
$1,378 Units on Issue Disclosure - Feb 2020 5 Mar 2020 3:21PM $16.470 $33.580 risen by 103.89%
$1,378 Units on Issue Disclosure - Jan 2020 6 Feb 2020 3:02PM $15.590 $33.580 risen by 115.39%
$1,378 Indicative 2020 Distributions Calendar 31 Jan 2020 4:31PM $15.790 $33.580 risen by 112.67%
$1,378 Units on Issue Disclosure - Dec 2019 7 Jan 2020 5:42PM $15.670 $33.580 risen by 114.29%
$1,378 Units on Issue Disclosure - Nov 2019 5 Dec 2019 4:51PM $14.850 $33.580 risen by 126.13%
$1,378 Units on Issue Disclosure - Oct 2019 6 Nov 2019 4:16PM $15.070 $33.580 risen by 122.83%
$1,378 Units on Issue Disclosure - Sep 2019 7 Oct 2019 4:16PM $15.230 $33.580 risen by 120.49%
$1,378 Annual Report 30 Sep 2019 4:27PM $15.100 $33.580 risen by 122.38%
$1,378 Units on Issue Disclosure - Aug 2019 5 Sep 2019 4:54PM $15.620 $33.580 risen by 114.98%
$1,378 Units on Issue Disclosure - Jul 2019 7 Aug 2019 4:35PM $15.160 $33.580 risen by 121.50%
$1,378 Units on Issue Disclosure - Jun 2019 4 Jul 2019 5:00PM $14.400 $33.580 risen by 133.19%
$1,378 Estimated Distribution Announcement 27 Jun 2019 7:00PM $14.260 $33.580 risen by 135.48%
$1,378 Distribution Timetable 25 Jun 2019 3:00PM $14.570 $33.580 risen by 130.47%
$1,378 Units on Issue Disclosure - May 2019 6 Jun 2019 10:48AM $13.480 $33.580 risen by 149.11%
$1,378 Units on Issue Disclosure - April 2019 6 May 2019 4:11PM $13.060 $33.580 risen by 157.12%

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  • + Company announcements and prices are delayed by least 20 minutes. Prices are indicative only.

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